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The determinants of income inequality in OECD countries

机译:经合组织国家收入不平等的决定因素

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The objective of this paper is to identify the determinants of the increase in income inequality that OECD countries have experienced over the past two decades. My hypothesis is that along with the financialisation of economies that has taken place since 1990, inequality increased because labour flexibility intensified, labour market institutions weakened as trade unions lost power, and public social spending started to retrench and did not compensate for the vulnerabilities created by the globalisation process. Using data from 25 high-income OECD countries from 1990 to 2013, I empirically evaluate this hypothesis. My results clearly suggest that the increase in inequality over the past two decades is caused by an increase in financialisation, a deepening of labour flexibility, the weakening of trade unions and the retrenchment of the welfare state.
机译:本文的目的是确定经济合作与发展组织国家在过去二十年中收入不平等加剧的决定因素。我的假设是,随着1990年以来的经济金融化,不平等现象加剧,原因是劳动力灵活性增强,工会失去权力导致劳动力市场制度变弱,公共社会支出开始萎缩,无法弥补由劳动力市场造成的脆弱性。全球化过程。我使用1990年至2013年来自25个高收入经合组织国家的数据,从经验上评估了这一假设。我的结果清楚地表明,在过去的二十年中,不平等的加剧是由于金融化程度的提高,劳动灵活性的加深,工会的削弱和福利国家的紧缩造成的。

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